Due to a double bottom structure that has been activated Atresmedia may reach 3,33€ +30% from current price with a reward ratio of 6,8. Stop loss at 2,44€.
It seems that Pharmamar may reach 7,06€ (+50% from current price) after activating an iSHS and improving its rating.
The Spanish index is tracing a counter trend primary wave 4 of a cycle C wave down. After it finished wave 5 should move prices to below 5,400. FOLLOW SKYLINEPRO TO GET UPDATES.
As well as the price oil is in the lowest, the oil companies do the same. Nevertheless, that can be a good opportunity for those who own strong liquidity to buy low. So in this contexte, here we have Repsol with a monthly triangle pattern. We can hold a long position for long terme. In my case y prefere to catch long mouvement on daytrading.
I think in this covid19 scenario grifols is a really good pic with the medical improvements that they are offering. It's a safe pick so i recommend reading about this coorporation and make your own research.
After the pandemic, the situation will go "as usual", I think that now is the moment to buy, great companies at very good prices. Buy cheap.
Parece que no habrá remonte por arriba de los 3 euros/título hasta que pase la crisis del SARS-CoV-2. %R de Williams no muy efectiva si la previsión es en largo. Para posiciones cortas las jugadas oscilan alrededor de +-20 céntimos.
Double bottom pattern has been activated for REE and may reach 17,44€ +15,6% from current price.
Harmonic pattern AB = CD gives potential target at 0.0047 for Abengoa.
AB = CD structure activated for Sabadell with target price at 0,6336€.
Just waiting to see what happens with that blue line... :) Cheers!
LAR ESPAÑA REAL ESTATE has a double bottom target price at 9€ giving a +28% potential target. If this target is achieved could lead to a AB=CD pattern to 10.25€ and a bigger double bottom target 11.17€.
BME:FACE Cherry on the cake of recent days. While the entire market is falling, FacePHI is growing up. Paper is clearly stronger than the market. I take it in my long-term portfolio.
Caída hacia zona donde históricamente se ha mantenido. Corrección del 0.618 de Fibonacci, dentro de la zona anterior Continúa caída hacia soporte clave de crisis de 2008